Financial Markets and Institutions / Anthony Saunders, Marcia Millon Cornett & Otgontsetseg Erhemjamts
Material type:
TextPublication details: New York, NY : McGraw-Hill Education, 2022Edition: 8th edDescription: XXVI, 803 p. : ill. ; 28 cmISBN: - 9781265561437
- HG 173 S28F 2022
| Item type | Current library | Collection | Shelving location | Call number | Status | Barcode | |
|---|---|---|---|---|---|---|---|
General Book
|
SPU Library, Chonburi campus | General Books (ENGLISH) | Floor 3: General Shelves (FOREIGN LANGUAGE) | HG 173 S28F 2022 (Browse shelf(Opens below)) | Available | B009235 |
Part 1: Introduction and overview of financial markets p.1-26 -- Determinants of Interest Rates p.27-59 -- Interest Rates and Security Valuation p.60-94 -- The Federal reserve system, Monetary policy, and Interest rates p.95-134
Part 2: Securities markets-Money markets p.135-170 -- Bond markets p.171-208 -- Mortgage Markets p.209-241 -- Stock markets p.242-283 -- Foreign Exchange markets p.284-312 -- Derivative Securities markets p.313-354
Part 3: Commercial Banks p.355-381 -- Comercial Banks' financial statements and analysis p.382-414 -- Regulation of Commercial banks p.415-459
Part 4: Other financial institutions p.460-484 -- Insurance Companies p.485-510 -- Securities firms and investment banks p.511-535 -- Investment companies p.536-572 -- Pension Funds p.573-594 -- Fintech Companies p.595-619
Part 5: Risk Management in financial institutions p.620-640 -- Managing credit risk on the balance sheet p.641-668 -- Managing Liquidity risk on the balance sheet p.669-692 -- Managing interest rate risk and insolvency risk on the balance sheet p.693-721 -- Managing risk off the balance sheet with derivative securities p.722-750 -- Managing risk off the balance sheet with Loan sales and securitization p.751-780
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